A feeling of panic and imho irrationality is around. The CAC40 index lost 7% in 5 days. A seller in a hurry sent the market cap of INFE down 10% in a volume of a few k€. INFE entreprise value is now negative !

I did some buying, for instance shares from VIVENDI (ticker : VIV) which went down 8 % in 5 days. I don't understand why a (possible) nuclear meltdown in Japan would impact so much a company that sells (among other activities) mobile phone and adsl services to customers in France, Morocco or Brasil. I'll prepare ASAP a post explaining why I think that VIV is a buy.